Search Results for: Financial Conduct Authority

Bulgarian regulator warns against unauthorised firm through MFSA

August 11th, 2014 (0)
The Malta Financial Services Authority (MFSA), has released a warning from the Bulgarian Financial Supervision Commission (BFSC) against the activities of the company ISLANDBAY SERVICES LTD with a trade name BROKER CAPITAL. Following the proper investigation it appeared that INVESTORS LTD (formerly ASTON ...

FMA fined trader with $130,000

August 7th, 2014 (0)
The Financial Markets Authority (FMA) announced that trader Brian Peter Henry was fined by the regulator with the amount of $130,000 after he admitted the allegations he was charged. Brian Peter Henry has admitted all of the Financial Markets Authority’s ...

Will Europe start to lend again?

August 4th, 2014 (0)
The European Central Bank will take over supervising banks in Helsinki and Lisbon in November after finding out unprecedented scrutiny to their books. The reason for doing so is to restore confidence in the euro zone’s banks, battered by ...

Danske Bank Reprimanded by FSA for underestimating Risk of Loans

August 1st, 2014 (0)
Denmark’s financial regulator reprimanded Danske Bank A/S for underestimating the risk of losses in a part of its retail lending business. Denmark’s biggest lender couldn’t prove a group of consumer debt assets deserved a lower risk weighting than other ...

CFTC Says Flexibility essential to Oversee Cross-Border Swaps

July 31st, 2014 (0)
U.S. regulators need flexibility in overseeing cross-border swaps, a lawyer for the Commodity Futures Trading Commission told a federal judge as he defended the agency’s reliance on guidance rather than formal rules in a lawsuit brought by Wall Street’s ...

FMA and SFO sign MOU to improve agency cooperation

July 30th, 2014 (0)
The Financial Markets Authority, has announced a cooperation with the Serious Fraud Office iby signing a Memorandum of Understanding. In this way, both regulators continue their efficient action against unauthorised firms. Police Minister Anne Tolley and Commerce Minister Craig ...

SEC Charges Investor Relations Executive With Insider Trading While Preparing Clients’ Press Releases

July 22nd, 2014 (0)
The Securities and Exchange Commission today charged a partner at a New York-based investor relations firm with insider trading on confidential information he learned about two clients while he helped prepare their press releases. The SEC alleges that Kevin ...

MAS against money laundering and terrorist financing

July 17th, 2014 (0)
The Monetary Authority of Singapore (MAS) is seeking public feedback on proposed new measures to further protect Singapore’s financial system from being used to launder money or finance terrorism. A consultation paper has been released on Tuesday (July 15). ...

UAE regulator approves new brokerage companies’ regulation

July 14th, 2014 (0)
The board of directors of the UAE’s Securities and Commodities Authority, SCA, has approved a new regulation for brokers and amended two other regulations. The new 34-article regulation classifies brokerage firms into (1) those which engage in trading only ...

Rangers tax case: questions over HMRC’s motivation

July 11th, 2014 (0)
Her Majesty’s Revenue and Customs (HMRC) on Wednesday lost its latest legal fight over a claim that Rangers were liable for a £46.2 million bill over the club’s use of a scheme to make payments to its employees. Placing ...
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